Stockmen's Livestock Exchange v. Thompson

520 N.W.2d 255, 1994 S.D. LEXIS 118, 1994 WL 405947
CourtSouth Dakota Supreme Court
DecidedAugust 3, 1994
Docket18356, 18357, 18358 and 18360
StatusPublished
Cited by15 cases

This text of 520 N.W.2d 255 (Stockmen's Livestock Exchange v. Thompson) is published on Counsel Stack Legal Research, covering South Dakota Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Stockmen's Livestock Exchange v. Thompson, 520 N.W.2d 255, 1994 S.D. LEXIS 118, 1994 WL 405947 (S.D. 1994).

Opinion

PER CURIAM.

Tommy Thompson and Ted Thompson own Thompson Livestock Company and St. Onge Livestock Auction, Inc. (hereinafter, the collective defendants will be referred to as “Thompsons”). Tommy and Ted Thompson are residents of South Dakota. During the time in question, Thompson Livestock Company was a South Dakota partnership and St. Onge Livestock was a South Dakota corporation.

In July of 1987, shortly after establishing St. Onge Livestock Auction, Thompsons hired Darrell Niekelson to manage the feedlot associated with the auction. Niekelson’s job also involved traveling to solicit and purchase cattle for Thompson Livestock to be sold at the auction.

In August of 1987, Thompsons applied for and received a North Dakota livestock dealer’s license. They designated Niekelson as a bonded agent under their license. For the remainder of 1987, Niekelson traveled for Thompsons through western South Dakota, eastern Wyoming, eastern Montana, and western North Dakota. Thompsons supplied a vehicle and reimbursed Niekelson for his travel expenses. During this period, Nickel-son purchased cattle for Thompsons. The form of the transactions varied: sometimes Niekelson would purchase cattle using Thompsons’ name up front; other times, he would use his own name or the name Aladdin Ranch. Niekelson was also purchasing cattle for himself and Thompsons were aware of that fact.

In May 1988, Thompsons renewed their North Dakota livestock dealer’s license. They again designated Niekelson as their bonded agent. Niekelson never applied for or held his own livestock dealer’s license for North Dakota.

In July 1988, Niekelson contacted James Myers and Ray Gress and told them he *257 wanted to purchase cattle. Myers and Gress were licensed livestock dealers in North Dakota. On July 26 and 27, 1988, Myers purchased cattle for Nickelson at the Rugby Livestock Auction and the Minot Livestock Auction. On July 26, 27, and 30, 1988, Gress purchased cattle for Nickelson at the Western Livestock Co, Inc., Kist Livestock Yard, and the Stockmen’s Livestock Exchange.

Nickelson mailed a check ($33,346.73) to James Myers to cover all of the cattle he purchased at Rugby and Minot. The check was later returned for insufficient funds. Nickelson mailed checks directly to Western Livestock ($31,687.37), Kist Livestock ($34,-091.84) and Stockmen’s Livestock ($33,-747.82), to pay for the cattle Gress had purchased. Each of the checks was returned for insufficient funds.

In August 1988, Thompson Livestock sent notice to the North Dakota Department of Agriculture specifying that Nickelson was no longer their agent. Because the livestock sellers had still not received payment for the cattle, they filed a complaint with the North Dakota Department of Agriculture against Thompsons (as North Dakota licensed livestock dealers and Nickelson’s principals). The N.D. Department of Agriculture held that a livestock dealer is strictly liable for the acts of a designated agent. Thompsons’ North Dakota livestock dealer’s license was revoked. The North Dakota Department of Agriculture was affirmed by the North Dakota Supreme Court. Thompson v. N.D. Dept. of Agriculture, 482 N.W.2d 861 (N.D.1992).

Nickelson was unable to pay the livestock sellers for the cattle. He eventually entered into a settlement agreement with them, in which he promised to make payment and also promised to acquire and maintain a life insurance policy to guarantee the payment. Nick-elson is not a party to any of the cases on appeal before this Court.

In July 1991, each of the livestock sellers filed a lawsuit against Thompsons. In March 1993, the trial court entered summary judgment in favor of each livestock seller against the Thompsons. Thompsons appeal.

Western Livestock Co., Kist Livestock Auction, Stockmen’s Livestock Exchange, and Estate of James Myers all present the identical arguments on appeal. Those four eases are addressed in this opinion. Hereinafter, we will refer to these four parties as “livestock sellers.” The appeals of Baker Livestock Auction and Ray Gress are addressed in separate opinions. See Baker v. Thompson, 520 N.W.2d 263 (S.D.1994) and Gress v. Thompson, 520 N.W.2d 260 (S.D.1994).

THE TRIAL COURT CORRECTLY CONCLUDED THAT NORTH DAKOTA LAW GOVERNED THE QUESTION OP THE EXTENT OF THOMPSONS’ LIABILITY FOR THE ACT OF THEIR AGENT, NICKELSON.

The trial court held that North Dakota’s law applied to determine the extent of Thompsons’ liability for the acts of their agent. Thompsons argue that South Dakota law should have governed because the agency relationship was created in South Dakota.

South Dakota applies the provisions of the Restatement (Second) of Conflict of Laws (hereinafter “Restatement”) in order to resolve questions about which state’s laws govern in a particular factual situation. Chambers v. Dakotah Charter, Inc., 488 N.W.2d 63 (S.D.1992). According to the Restatement, “An agency relationship can give rise to three choice-of-law problems: namely, what law should be applied to determine the rights and duties as between (1) the principal and agent, (2) the principal and some third person on account of one or more acts by the agent, and (3) the agent and the third person.” Restatement (Second) Conflict of Laws § 291, comment a.

Thompsons focus on the question of which state’s laws apply to determine whether there was an agency between Thompsons and Nickelson. The question of which state’s law to apply to determine whether there was an agency relationship is dealt with in Section 291 of the Restatement. 1 However, *258 there was no dispute in this case that Nickelson was Thompsons’ agent.

The question in this case involves the extent of Thompsons’ responsibility to third parties for the acts of their agent, Nickelson. The question of which state’s laws should be applied to determine the rights and duties as between the principal and a third party is dealt with in Restatement Section 292.

Restatement Section 292 provides:

(1) Whether a principal is bound by action taken on his behalf by an agent in dealing •with a third person is determined by the local law of the state which, with respect to the particular issue, has the most significant relationship to the parties and the transaction under the principles stated in § 6.
(2) The principal will be held bound by the agent’s action if he would so be bound under the local law of the state where the agent dealt with the third person, provided at least that the principal had authorized the agent to act on his behalf in that state or had led the third person reasonably to believe that the agent had such authority.

Restatement (Second) Conflict of Laws § 292.

Section 6 referenced therein provides:

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Bluebook (online)
520 N.W.2d 255, 1994 S.D. LEXIS 118, 1994 WL 405947, Counsel Stack Legal Research, https://law.counselstack.com/opinion/stockmens-livestock-exchange-v-thompson-sd-1994.